Results 111-120 of 211.
|2007 ||How do treasury dealers manage their positions?||Fleming, Michael J. / Rosenberg, Joshua V.
|2004 ||A general approach to integrated risk management with skewed, fat-tailed risks||Rosenberg, Joshua V. / Schuermann, Til
|2009 ||The impact of tax law changes on bank dividend policy, sell-offs, organizational form, and industry structure||Mehran, Hamid / Suher, Michael
|2008 ||Which bank Is the central bank? An application of Markov theory to the Canadian Large Value Transfer System||Bech, Morten L. / Chapman, James T. E. / Garratt, Rod
|2009 ||Macroprudential supervision of financial institutions: Lessons from the SCAP||Hirtle, Beverly / Schuermann, Til / Stiroh, Kevin
|2012 ||Securities lending||Lipson, Paul C. / Sabel, Bradley K. / Keane, Frank M.
|2006 ||Financial development and income inequality in rural China 1991 - 2000||Liang, Zhicheng
|2012 ||Shadow banking regulation||Adrian, Tobias / Ashcraft, Adam B.
|2008 ||Financial intermediary leverage and value-at-risk||Adrian, Tobias / Shin, Hyun Song
|2006 ||The structure and performance of Ethiopia's financial sector in the pre- and post-reform period with a special focus on banking||Geda, Alemayehu